PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO Q1 2017 Filing

Filed May 25, 2017

Portfolio Value

$17.8T

Holdings

1,820

Report Date

Q1 2017

Filing Type

13F-HR

All Holdings (1,820 positions)

#StockSharesValue% PortfolioType
101
METMetlife Inc
669,734$35.4B0.20%
102
SOSouthern Co/The
708,599$35.3B0.20%
103
DHRDanaher Corp
410,215$35.1B0.20%
104
CATCaterpillar Inc
376,848$35.0B0.20%
105
GMGeneral Motors Co
985,005$34.8B0.20%
106
SCHWCharles Schwab Corp/The
849,670$34.7B0.19%
107
PYPLPaypal Holdings Inc
805,680$34.7B0.19%
108
BLKCHFBlackrock Inc
89,919$34.5B0.19%
109
TGNATegna Inc
1,342,081$34.4B0.19%
110
KMBKimberly-Clark Corp
258,608$34.0B0.19%
111
Monsanto Co
299,884$33.9B0.19%
112
MSMMsc Industrial Direct C
326,804$33.6B0.19%
113
OXYOccidental Petroleum Co
525,499$33.3B0.19%
114
DDominion Energy Inc
424,345$32.9B0.18%
115
GDGeneral Dynamics Corp
173,632$32.5B0.18%
116
ADPAutomatic Data Processi
314,707$32.2B0.18%
117
ZBRAZebra Technologies Corp
352,426$32.2B0.18%
118
ROSTRoss Stores Inc
483,232$31.8B0.18%
119
BXPBoston Properties Inc
239,891$31.8B0.18%
120
ICEIntercontinentalexchang
530,160$31.7B0.18%
121
PXDEURPioneer Natural Resourc
169,761$31.6B0.18%
122
ELVAnthem Inc
189,015$31.3B0.18%
123
MIDDMiddleby Corp/The
228,716$31.2B0.18%
124
RTN1USDRaytheon Co
204,585$31.2B0.18%
125
HALHalliburton Co
623,812$30.7B0.17%
126
Aetna Inc
240,493$30.7B0.17%
127
SYKStryker Corp
231,745$30.5B0.17%
128
CSXCsx Corp
651,953$30.3B0.17%
129
FFord Motor Co
2,601,213$30.3B0.17%
130
BAXBaxter International In
581,168$30.1B0.17%
131
EWEdwards Lifesciences Co
316,773$29.8B0.17%
132
HSTHost Hotels & Resorts I
1,553,126$29.0B0.16%
133
KMIKinder Morgan Inc/Delaw
1,325,283$28.8B0.16%
134
NOCNorthrop Grumman Corp
120,974$28.8B0.16%
135
SNIScripps Networks Intera
366,832$28.7B0.16%
136
COFCapital One Financial C
329,314$28.5B0.16%
137
ISRGIntuitive Surgical Inc
37,178$28.5B0.16%
138
HPEHewlett Packard Enterpr
1,177,847$27.9B0.16%
139
KRKroger Co/The
946,192$27.9B0.16%
140
EMREmerson Electric Co
462,172$27.7B0.16%
141
AZOAutozone Inc
37,982$27.5B0.15%
142
CMECme Group Inc
229,190$27.2B0.15%
143
LUVSouthwest Airlines Co
506,218$27.2B0.15%
144
Express Scripts Holding
411,180$27.1B0.15%
145
VNOVornado Realty Trust
267,518$26.8B0.15%
146
ITWIllinois Tool Works Inc
202,509$26.8B0.15%
147
MRSHMarsh & Mclennan Cos In
359,590$26.6B0.15%
148
DEDeere & Co
243,107$26.5B0.15%
149
FQIDigital Realty Trust In
248,679$26.5B0.15%
150
NVDANvidia Corp
242,518$26.4B0.15%
151
MHKMohawk Industries Inc
114,630$26.3B0.15%
152
Twenty-First Century Fo
810,698$26.3B0.15%
153
CICigna Corp
174,236$25.5B0.14%
154
SIRIEURSirius Xm Holdings Inc
4,948,242$25.5B0.14%
155
GISGeneral Mills Inc
431,758$25.5B0.14%
156
EAElectronic Arts Inc
282,962$25.3B0.14%
157
MAAMid-America Apartment C
248,977$25.3B0.14%
158
CTSHCognizant Technology So
420,375$25.0B0.14%
159
DALDelta Air Lines Inc
542,826$24.9B0.14%
160
NSCNorfolk Southern Corp
222,692$24.9B0.14%
161
BBTUSDBb&T Corp
554,238$24.8B0.14%
162
PSXPhillips 66
310,707$24.6B0.14%
163
PXGBXPraxair Inc
206,477$24.5B0.14%
164
DISHDish Network Corp
385,401$24.5B0.14%
165
STTState Street Corp
307,176$24.5B0.14%
166
BSXBoston Scientific Corp
981,187$24.4B0.14%
167
TFXTeleflex Inc
125,921$24.4B0.14%
168
TRVTravelers Cos Inc/The
201,566$24.3B0.14%
169
Cbs Corp
348,541$24.2B0.14%
170
PCGPg&E Corp
362,355$24.0B0.14%
171
ADSKAutodesk Inc
277,650$24.0B0.13%
172
APCAnadarko Petroleum Corp
384,866$23.9B0.13%
173
ESSEssex Property Trust In
102,961$23.8B0.13%
174
FRCBFirst Republic Bank/San
251,943$23.6B0.13%
175
WMWaste Management Inc
323,379$23.6B0.13%
176
SPGIS&P Global Inc
179,544$23.5B0.13%
177
EBAEbay Inc
694,464$23.3B0.13%
178
ORLYO'Reilly Automotive Inc
86,239$23.3B0.13%
179
8CWCrown Castle Internatio
245,862$23.2B0.13%
180
SWKStanley Black & Decker
173,244$23.0B0.13%
181
AFLAflac Inc
315,433$22.8B0.13%
182
Hcp Inc
729,725$22.8B0.13%
183
AEPAmerican Electric Power
339,485$22.8B0.13%
184
TSLATesla Inc
81,355$22.6B0.13%
185
VLOValero Energy Corp
337,922$22.4B0.13%
186
PEOExelon Corp
611,704$22.0B0.12%
187
ECLEcolab Inc
174,961$21.9B0.12%
188
DYHTarget Corp
396,290$21.9B0.12%
189
SNASnap-On Inc
126,851$21.4B0.12%
190
STZConstellation Brands In
131,849$21.4B0.12%
191
Ggp Inc
911,158$21.1B0.12%
192
MCKMckesson Corp
142,290$21.1B0.12%
193
ALSAllstate Corp/The
258,216$21.0B0.12%
194
VRTXVertex Pharmaceuticals
192,190$21.0B0.12%
195
ROPRoper Technologies Inc
101,592$21.0B0.12%
196
REGNRegeneron Pharmaceutica
53,421$20.7B0.12%
197
HUMHumana Inc
99,898$20.6B0.12%
198
FMCFmc Corp
295,226$20.5B0.12%
199
7HPHp Inc
1,146,810$20.5B0.12%
200
HCAHca Holdings Inc
230,181$20.5B0.12%
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